Key risks
- Revenue volatile 21.91–30.17 Cr recent quarters; Sep 2024 net profit was -0.02 Cr — verify occupancy rates, seasonal vs cyclical sensitivity
- EPS lumpy -0.07 to 15.91 — margins razor-thin in off-season, earnings model unreliable
- PE 31.85 — elevated valuation leaves no buffer for earnings miss
- Public float 20.49%, zero institutional (FII/DII) — limited liquidity, retail-only shareholder base
Generated analysis · source review pending